Financial Planning & Analysis Manager at Bishop Fox
Phoenix, Arizona, USA -
Full Time


Start Date

Immediate

Expiry Date

28 Nov, 25

Salary

0.0

Posted On

28 Aug, 25

Experience

7 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Finance, Mastery, Looker, Enterprise, Microsoft Excel, Tableau, Budget Process, Managed Services, Communication Skills, Analytics, Economics, Financial Planning

Industry

Financial Services

Description

At Bishop Fox, security isn’t just a job, it’s our passion. We lead the way in continuous offensive security and penetration testing, helping some of the most recognizable companies on the planet stay ahead of real world threats. We’re trusted by over a quarter of the Fortune 100, half of the Fortune 10, and the biggest names in media, tech, and finance.
Our Cosmos platform (shoutout to SC Media for naming it Best Emerging Technology) is just one example of how we keep pushing the envelope. And with nearly two decades of contributions, from open-source tools to published advisories, we’re all in on making the digital world safer.
We are looking for a Financial Planning & Analysis ("FP&A") Manager to join our Finance team. As an FP&A Manager, you will be responsible for contributing insights into our financial performance and supporting strategic and operational initiatives. You will also build tools and systems that will allow the company to scale and that will be critical to informing the company’s investment and resource allocation decisions. This person will work closely with business leaders to provide data-driven decision support across all functions of the company. Our ideal candidate is a resourceful team player who can learn quickly in a fast-paced environment and understands how to drive initiatives across the finish line in a timely and efficient manner.

REQUIREMENTS

  • 7+ years work experience in a FP&A/corporate finance role
  • Must have experience managing the full P&L budget process end to end at a corporate level
  • Experience with SaaS data and analytics
  • Experience with consulting, tech-enabled managed services, and enterprise software businesses
  • Experience implementing and working with software tools for financial planning (particularly Anaplan or Adaptive Insights, Hyperion etc.)
  • Mastery of Microsoft Excel with the ability to create robust, scalable, and flexible financial models and scenario analyses
  • Strong quantitative, analytical, and problem-solving skills and the ability to execute on both tactical detail and the big picture
  • Extremely organized, excellent verbal and written communication skills, and a natural self-starter
  • Solid track record of successful team collaboration with ability to own and drive projects while also supporting fellow team members on various tasks
  • Entrepreneurial spirit that thrives in a demanding, fast-paced environment with the ability to roll up your sleeves and get any job done - no matter how big or small
  • Familiarity with SQL and BI dashboards, such as Sisense, Looker, PowerBI, or Tableau
  • Bachelor’s degree in Finance, Accounting, Business, Economics or related field

How To Apply:

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Responsibilities
  • Coordinate and manage corporate planning efforts and partner with leadership on monthly, annual, and long-range budget and forecast planning
  • Implement and lead the monthly budget vs actual reporting of operational and financial data
  • Lead business performance review and derive actionable financial, operational, transactional insights
  • Track business performance and KPI trends against operating plans and prepare variance analyses for management and other key stakeholders on an interim and ad hoc basis
  • Develop and manage in-depth, data-driven financial models, including the corporate long term forecast, that guide our strategic decision-making on corporate goal-setting, revenue and resource planning, and new key initiatives
  • Lead efforts of evaluating financial returns of new projects and initiatives
  • Perform ad-hoc reporting and analysis as needed
  • Support, in particular, the Executive Leadership Team as well as Sales and Delivery departments within the organization as a financial business partner
  • Implement a financial planning software tool for management of corporate planning efforts
  • Provide corporate finance and corporate development support on potential capital raises
  • Support Investor Reporting and quarterly Board responsibilities
  • Establish and maintain strong cross-functional relationships to assess informational needs, provide decision support, and develop sustainable processes and tools
  • Coordinate with the accounting team on month, quarter and year-end close processes to ensure accurate and timely delivery of financial reports
  • Partner directly with data and systems owners to ensure data integrity, quality, and completeness
  • Initiate continual process improvement efforts that enhance timeliness and accuracy of financial results
  • Manage and develop finance team talent, ensuring effectiveness and professional growth.
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